Job Description / Requirements
Monitor and coordinate with outside units with regard to generation of revenue.
Reconcile exchange collection with system (TIIMS).
Prepare ageing analysis every month in coordination with revenue officers in areas &
Exchanges.
Reconcile final bill claim with provisional bill claim at the end of the year.
Pass necessary journal entries & prepare cash trial and bank reconciliation statement.
Ensure that necessary books of accounts like cash book, ledger etc. are prepared
How to Apply
email: therese.concepcion@titlesecureinc.com janet.laurella@titlesecureinc.com